SKYU vs. CUKS ETF Comparison

Comparison of First Trust Cloud Computing UCITS ETF Class A USD Acc (SKYU) to iShares MSCI UK Small Cap UCITS ETF (CUKS)
SKYU

First Trust Cloud Computing UCITS ETF Class A USD Acc

SKYU Description

The Fund seeks investment results that correspond generally to the price and yield, before fees and expenses, of an equity index called the ISE Cloud Computing Index.

Grade (RS Rating)

Last Trade

£38.18

Average Daily Volume

5,755

Number of Holdings *

14

* may have additional holdings in another (foreign) market
CUKS

iShares MSCI UK Small Cap UCITS ETF

CUKS Description The investment objective of the Fund is to replicate the performance of the Reference Index (being the MSCI UK Small Cap (less the fees and expenses of the Fund)).The Reference Index is an equity index of securities with a small market capitalisation generally incorporated in the United Kingdom. Securities listed on the London Stock Exchange are eligible for inclusion.

Grade (RS Rating)

Last Trade

£21,880.00

Average Daily Volume

2,038

Number of Holdings *

219

* may have additional holdings in another (foreign) market
Performance
Period SKYU CUKS
30 Days -5.64% -0.69%
60 Days -5.98% 3.34%
90 Days 0.72% 4.41%
12 Months 47.87% 5.79%
0 Overlapping Holdings
Symbol Grade Weight in SKYU Weight in CUKS Overlap
SKYU Overweight 14 Positions Relative to CUKS
Symbol Grade Weight
0RIH A 4.76%
0R1O B 3.9%
0QYP B 3.77%
0K6F B 2.18%
0J51 F 2.16%
0VHA D 1.79%
0V50 F 1.68%
0A3P F 1.29%
0NW4 D 1.27%
0HVP F 0.98%
0XNH A 0.69%
IIG B 0.61%
0A3N D 0.6%
0A1O F 0.56%
SKYU Underweight 219 Positions Relative to CUKS
Symbol Grade Weight
ICP A -1.93%
SMDS D -1.81%
BME F -1.71%
WEIR A -1.7%
MKS B -1.62%
DPLM A -1.56%
HWDN C -1.55%
CTEC D -1.53%
IMI C -1.49%
BEZ B -1.48%
RMV D -1.35%
HSX A -1.34%
LMP A -1.3%
VTY A -1.21%
UTG D -1.12%
BLND A -1.1%
RS1 C -1.09%
SXS D -1.06%
JMAT B -1.06%
EMG B -1.06%
INVP B -1.05%
GAW F -1.04%
BWY D -0.97%
GRG D -0.93%
BBOX B -0.92%
IGG A -0.91%
INCH A -0.89%
ROR B -0.89%
TUI D -0.86%
TATE B -0.84%
ITV B -0.84%
JET2 C -0.83%
CYBG B -0.83%
DLG D -0.83%
CWK A -0.72%
CCC F -0.71%
SRP C -0.65%
BVIC A -0.65%
IDS B -0.65%
BYG B -0.65%
BBY A -0.64%
DLN F -0.64%
NETW A -0.62%
PNN B -0.61%
DRX B -0.61%
GFTU D -0.6%
GRI B -0.58%
INDV F -0.58%
HBR B -0.57%
FOUR B -0.57%
QQ C -0.57%
RDW D -0.55%
PLUS A -0.55%
BGEO A -0.55%
SMWH F -0.54%
SAFE B -0.54%
SSPG F -0.53%
TCAP B -0.53%
DARK A -0.53%
EZJ D -0.53%
TRN F -0.51%
HILS B -0.5%
ENOG B -0.5%
TPK B -0.5%
CEY B -0.49%
OSB C -0.49%
PAGE D -0.48%
RSW C -0.48%
MTO B -0.48%
SVS A -0.47%
HAS F -0.47%
IWG B -0.46%
ASCL B -0.46%
QLT A -0.46%
PAG A -0.46%
CCL F -0.46%
LRE D -0.45%
BOY A -0.44%
JTC A -0.44%
YCA A -0.44%
COA A -0.42%
BAB C -0.42%
SRE A -0.41%
TBCG A -0.41%
PETS C -0.41%
DNLM F -0.4%
AGR F -0.4%
PHP D -0.4%
GAMA B -0.4%
CKN B -0.39%
TEP A -0.39%
OXIG B -0.38%
GNS F -0.38%
SPT B -0.37%
DWL F -0.37%
DOM F -0.37%
FEVR D -0.37%
GEN A -0.36%
PTEC B -0.36%
BYIT D -0.36%
FGP D -0.36%
VCT D -0.36%
MONY D -0.36%
HMSO A -0.35%
WG C -0.34%
JUST A -0.34%
AAF B -0.33%
MGNS D -0.33%
PFD A -0.32%
RAT B -0.32%
VSVS B -0.32%
AJB A -0.31%
CHG A -0.31%
SUPR F -0.3%
YOU F -0.3%
KWS F -0.29%
FRAS C -0.29%
KNOS D -0.27%
FAN B -0.27%
MGAM A -0.27%
IHP A -0.27%
ASHM D -0.27%
ELM B -0.27%
WOSG F -0.26%
GPE C -0.26%
WIN B -0.25%
KLR A -0.25%
RNWH A -0.24%
HFG A -0.23%
SPI B -0.23%
HTWS A -0.23%
WKP C -0.23%
DSCV B -0.22%
JDW F -0.22%
CBG C -0.22%
FUTR D -0.22%
CRW A -0.22%
CVSG F -0.22%
RHIM B -0.21%
GNC A -0.21%
CCR F -0.21%
GBG A -0.21%
JDG A -0.21%
MSLH C -0.2%
MAB A -0.2%
BOWL A -0.19%
STEM A -0.19%
TYMN A -0.19%
IBST D -0.19%
KIE B -0.18%
ESP C -0.18%
RWS D -0.18%
BPT C -0.18%
TRST D -0.18%
BCPT C -0.18%
BAG A -0.18%
ESNT B -0.17%
UKCM A -0.17%
SHED C -0.17%
ONT F -0.17%
JSG B -0.17%
HTG B -0.17%
THRL D -0.16%
ATG F -0.16%
SQZ D -0.16%
IPO D -0.16%
TIFS F -0.16%
HOC B -0.16%
MOON F -0.16%
POLR A -0.15%
LIO B -0.15%
IPX F -0.15%
PAF A -0.15%
CRST D -0.15%
N91 B -0.15%
LTG F -0.15%
DOCS F -0.14%
RWI D -0.14%
TLW A -0.14%
ATYM A -0.14%
MRL D -0.14%
AFM A -0.13%
WIX D -0.13%
AMS D -0.13%
PRSR B -0.13%
VLX B -0.13%
CAML A -0.12%
THG D -0.12%
JUP F -0.12%
AWE F -0.12%
NCC A -0.12%
HFD F -0.11%
AO A -0.11%
PCTN B -0.11%
MCG F -0.1%
ABDP A -0.1%
AML F -0.1%
FDM F -0.1%
FORT C -0.1%
CREI D -0.1%
YNGA F -0.1%
WHR C -0.1%
FDP C -0.09%
GGP F -0.09%
IHR C -0.09%
888 D -0.09%
TM17 B -0.09%
PZC C -0.07%
BOO F -0.07%
CPI F -0.07%
ITM F -0.07%
CWR C -0.06%
ASC F -0.06%
ALFA B -0.06%
SHI F -0.06%
RNK B -0.05%
CLI F -0.04%
FXPO F -0.04%
VCP F -0.04%
Compare ETFs